on 2024 Jun 06 3:59 PM
There is a requirement where in 3PL will upload the stock daily to SAP ewm which will be recorded as bin to bin transfer in EWM where 3PL is maintained as storage type in EWM.
At end of day stock reconciliation report need to be generated with difference in both physical and system quantity.
Please let me know the details steps which need to be followed to accomplish this requirement, and also which interface to be used to do the transaction.
Thank you in Advance
Regards
Hithesh
Request clarification before answering.
Hi Ryan
Can share any document related to this, it would be helpful if you can share table and t code.
Regards
Hithesh
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